BEAR STEARNS ASSET BACKED SECURITIES INC
8-K, 1999-12-30
ASSET-BACKED SECURITIES
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<PAGE> 1

                  SECURITIES AND EXCHANGE COMMISSION


                        Washington D.C. 20549

                               Form 8-K


                Pursuant to Section 13 or 15(d) of the
                 Securities and Exchange Act of 1934

      Date of Report (Date of earliest event reported): 12/25/99


              BEAR STEARNS ASSET BACKED SECURITIES, INC.

         (AS DEPOSITOR UNDER THE SALE AND SERVICING AGREEMENT
       DATED AS OF MARCH 1, 1998, PROVIDING FOR THE ISSUANCE OF
             UNITED NATIONAL HOME LOAN OWNER TRUST 1999-1
                     HOME LOAN ASSET-BACKED NOTES

- ------------------------------------------------------------------------
        (Exact name of registrant as specified in its charter)

          Delaware              333-09532              13-3836437
          --------             ------------      -----------------------
(State or Other Jurisdiction   (Commission         (I.R.S. Employer

      of Incorporation         File Number)      Identification Number)


                           245 Park Avenue
                       New York, New York 10167
                  ----------------------------------

                  (Address of Principal   (Zip Code)
                     Executive Offices)

  Registrant's telephone number, including area code: (212) 272-4095
<PAGE> 2
Item 7. FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION AND EXHIBITS.


(a) Not applicable
(b) Not applicable
(c) Exhibits:
20.1 United National Home Loan Owner Trust 1999-1 Monthly
     Statement: Payment Date: 12/27/99



Signatures

    Pursuant to the requirements of the Securities Exchange Act of 1934,
the registrant has duly caused this report to be signed on its behalf by the
undersigned thereunto duly authorized.


Date: 12/23/99

BEAR STEARNS ASSET BACKED SECURITIES, INC. by U.S. Bank National
Association, as Trustee for United National Home Loan Owner Trust
1999-1, Home Loan Asset-Backed Notes.


By:    /s/ Tammy Shultz-Fugh
   --------------------------------------
Name:    Tammy Shultz-Fugh
Title:   Vice President
Company: U.S. Bank National Association







<PAGE> 1
United National Home Loan Owner Trust
Series 1999-1
MONTHLY STATEMENT

Payment Date: 12/27/99


<TABLE>
<CAPTION>
FACTORS  (Per $1000 Of Original Note Balance)

                              Original     Interest       Principal
                  CUSIP          Class Distribution    Distribution
  Class          Number        Balance       Factor          Factor
<S>      <C>            <C>            <C>          <C>  A-IO        None         205,259,057   3.75010331             ---

    A      99103P AA7      112,893,000   5.09057993     18.73882163
   M-1     99103P AB5       14,368,000   5.75833310      0.00000000
   M-2     99103P AC3       14,368,000   5.75833310      0.00000000

   B-1        None          24,631,000   5.75833340      0.00000000
   B-2        None           6,158,000   5.75833387      0.00000000
   B-3        None           4,105,000   5.75833374      0.00000000
   B-4        None          28,737,000   5.15469499      0.00000000

               Deferred

                 Amount          Class
           Distribution           Pool
  Class          Factor         Factor
   <S>   <C>            <C>
  A-IO              ---            ---
    A               ---   865.29821834

   M-1       0.00000000  1000.00000000
   M-2       0.00000000  1000.00000000
   B-1       0.00000000  1000.00000000
   B-2       0.00000000  1000.00000000
   B-3       0.00000000  1000.00000000
   B-4       0.00686467   861.36246848



<CAPTION>
INTEREST                                    Accrued         Monthly
                              Interest Carry-Forward       Interest
                  Class  Carry-Forward     Interest    Distribution

   Class           Rate         Amount       Amount          Amount
<S>      <C>            <C>            <C>          <C>
  A-IO        4.883221%           0.00         0.00      769,742.67
    A         6.910000%           0.00         0.00      574,690.84
   M-1        6.910000%           0.00         0.00       82,735.73
   M-2        6.910000%           0.00         0.00       82,735.73

   B-1        6.910000%           0.00         0.00      141,833.51
   B-2        6.910000%           0.00         0.00       35,459.82
   B-3        6.910000%           0.00         0.00       23,637.96
   B-4        6.910000%           0.00         0.00      148,130.47

  Total                           0.00         0.00    1,858,966.73


<CAPTION>
INTEREST
                                            Current
                              Interest     Interest
               Interest   Distribution Carry-Forward

  Class    Distribution        Payment       Amount
<S>      <C>            <C>            <C>
  A-IO       769,742.67     769,742.67         0.00
    A        574,690.84     574,690.84         0.00
   M-1        82,735.73      82,735.73         0.00
   M-2        82,735.73      82,735.73         0.00

   B-1       141,833.51     141,833.51         0.00
   B-2        35,459.82      35,459.82         0.00
   B-3        23,637.96      23,637.96         0.00
   B-4       148,130.47     148,130.47         0.00
  Total    1,858,966.73   1,858,966.73         0.00

<CAPTION>

PRINCIPAL
              Beginning      Principal    Allocable          Ending
                  Class        Payment         Loss           Class
   Class        Balance         Amount       Amount         Balance
<S>      <C>            <C>            <C>          <C>
  A-IO   189,156,132.62            ---          ---  186,069,085.02

    A     99,801,593.55   2,115,481.79          ---   97,686,111.76
   M-1    14,368,000.00           0.00         0.00   14,368,000.00
   M-2    14,368,000.00           0.00         0.00   14,368,000.00
   B-1    24,631,000.00           0.00         0.00   24,631,000.00
   B-2     6,158,000.00           0.00         0.00    6,158,000.00
   B-3     4,105,000.00           0.00         0.00    4,105,000.00

   B-4    25,724,539.07           0.00   971,565.81   24,752,973.26

  Total  189,156,132.62   2,115,481.79   971,565.81  186,069,085.02

<CAPTION>
PRINCIPAL

                           Interest on     Deferred         Current
               Deferred       Deferred       Amount        Deferred
   Class         Amount         Amount      Payment          Amount
<S>      <C>            <C>            <C>          <C>
  A-IO              ---            ---          ---             ---
    A               ---            ---          ---             ---

   M-1             0.00           0.00         0.00            0.00
   M-2             0.00           0.00         0.00            0.00
   B-1             0.00           0.00         0.00            0.00
   B-2             0.00           0.00         0.00            0.00
   B-3             0.00           0.00         0.00            0.00
   B-4     3,014,306.61      17,357.38       197.27    4,003,032.53


  Total    3,014,306.61      17,357.38       197.27    4,003,032.53

<CAPTION>
COLLECTIONS AND AMOUNTS PAYABLE
<S>                                                 <C>

Scheduled Principal Principal Received                   234,721.93
Other Principal Principal Received                     1,880,893.80
Interest Received                                      1,861,933.59
Available Collection Amount                            3,977,549.32

Total Principal Collection                             2,115,481.79

Prior Outstanding Security Principal Balance         189,156,132.62
Regular Principal Payment Amount                       2,115,481.79

Regular Principal Payment Amount                       2,115,481.79
Noteholders' Interest Payment Amount                     740,162.30
Certificateholders' Interest Distribution Amt          1,118,804.43

Total Amount                                           3,974,448.52

Regular Payment Amount                                 3,974,448.52
DELINQUENCY INFORMATION
<S>                     <C>            <C>
                                Number    Aggregate

                              of Loans Loan Balance
30 days                             59 2,088,029.00
60 days                             18   778,518.00
90+ days                            28 1,075,475.00
Foreclosure                          1    29,843.00
Foreclosure Percentage                     0.01604%

Bankruptcy                          59 2,397,541.00
Bankruptcy Percentage                      1.28852%
REO                                  0         0.00
REO Percentage                             0.00000%
REO Book Value                       0         0.00




DISTRIBUTIONS
<S>                                    <C>
Servicer Compensation not reimbursed           0.00
Indenture Trustee Fee                      2,758.53

Owner Trustee Fee                            208.33
Total Distribution to Security Holders 3,974,645.79
Co-Administrator Fees and Expenses             0.00
Residual Interest Certificate                  0.00
Total Distribution Amount              3,977,612.65



OTHER INFORMATION
<S>                                                 <C>
Beginning Home Loan Count                                  5,151.00
Ending Home Loan Count                                     5,077.00


Beginning Home Loan Principal Balance                189,156,132.62
Ending Home Loan Principal Balance                   186,069,085.02

Weighted Average Term to Maturity                            235.70
Weighted Average Interest Rate                            13.26170%


Current Period Liquidated Home Loans                     971,565.81
Cumulative Liquidated Home Loans                       3,983,696.05

Cumulative Losses                                      3,983,562.11



Cumulative Deleted Home Loans Per Sect 3.05                    0.00

Nonrecoverable Advances reimbursed to the Servicer             0.00

Servicing Fee                                            118,222.58


</TABLE>



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